Not Rated
Fund Size
(6.55% of Investment in Category)
|
Expense Ratio
(0.27% Category average)
|
Period Invested for | ₹10000 Invested on | Latest Value | Absolute Returns | Annualised Returns | Category Avg | Rank within Category |
---|---|---|---|---|---|---|
1 Week | 10-Oct-25 | 10010.30 | 0.10% | - | 0.10% | 20/21 |
1 Month | 19-Sep-25 | 10040.30 | 0.40% | - | 0.47% | 21/21 |
3 Month | 19-Jul-25 | 10120.20 | 1.20% | - | 1.39% | 21/21 |
6 Month | 19-Apr-25 | 10262.80 | 2.63% | - | 2.95% | 21/21 |
YTD | 01-Jan-25 | 10472.20 | 4.72% | - | 5.18% | 21/21 |
1 Year | 19-Oct-24 | 10601.80 | 6.02% | 6.02% | 6.64% | 21/21 |
2 Year | 19-Oct-23 | 11320.20 | 13.20% | 6.39% | 6.93% | 20/21 |
3 Year | 19-Oct-22 | 12011.80 | 20.12% | 6.29% | 6.88% | 20/21 |
5 Year | 19-Oct-20 | 12721.20 | 27.21% | 4.93% | 5.52% | 20/21 |
10 Year | 19-Oct-15 | 15705.60 | 57.06% | 4.61% | 6.00% | 21/21 |
Since Inception | 24-Nov-03 | 29750.60 | 197.51% | 5.10% | 6.60% | 16/20 |
Period Invested for | ₹1000 SIP Started on | Investments | Latest Value | Absolute Returns | Annualised Returns |
---|---|---|---|---|---|
1 Year | 19-Oct-24 | 12000 | 12369.6 | 3.08 % | 5.73 % |
2 Year | 19-Oct-23 | 24000 | 25553.34 | 6.47 % | 6.14 % |
3 Year | 19-Oct-22 | 36000 | 39592.22 | 9.98 % | 6.26 % |
5 Year | 19-Oct-20 | 60000 | 69410.31 | 15.68 % | 5.76 % |
10 Year | 19-Oct-15 | 120000 | 154068.22 | 28.39 % | 4.88 % |
Any profit will be clubbed with your income and taxed at your effective tax rate.
Type of Holdings
Security Type |
% Weight |
Category Average |
---|---|---|
GOI | 0.48% | 0.67% |
CD | 37.86% | 36.56% |
T-Bills | 18.05% | 18.69% |
NCD & Bonds | 1.29% | 4.83% |
CP | 54.15% | 42.16% |
Investment / Portfolio Grades
Security Type |
% Weight |
Category Average |
---|---|---|
Government Backed | 18.53% | 19.36% |
Low Risk | 93.30% | 83.45% |
Moderate Risk | 0.00% | 0.00% |
High Risk | 0.00% | 0.00% |
Very High Risk | 0.00% | 0.00% |
Others | 0.00% | 0.00% |
Name | Type of Instrument | Weight (%) |
---|---|---|
Reverse Repo | Reverse Repo | 5.19% |
Margin | Margin | 0.04% |
Net Receivables | Net Receivables | -17.06% |
Ratios calculated on daily returns for last 3 years (Updated as on 30th September, 2025)
Scheme Name |
Crisil Rank |
Asset Size (Cr) |
1M |
3M |
6M |
1Y |
3Y |
---|---|---|---|---|---|---|---|
Aditya Birla Sun Life Liquid Fund - Discipline Advantage Plan | NA | 49803.08 | 0.53 | 1.58 | 3.28 | 7.14 | 7.30 |
Sundaram Liquid Fund - Direct Plan - Growth (Adjusted NAV) | NA | 7481.60 | 0.48 | 1.44 | 3.03 | 6.86 | 7.11 |
HSBC Liquid Fund - Direct Plan - Growth (Adjusted NAV) | NA | 14759.34 | 0.48 | 1.43 | 3.04 | 6.83 | 7.10 |
Baroda BNP Paribas Liquid Fund - Direct Plan - Growth (Adjusted NAV) | NA | 7889.81 | 0.48 | 1.43 | 3.01 | 6.79 | 7.08 |
LIC MF Liquid Fund - Direct Plan - Growth (Adjusted NAV) | NA | 11402.57 | 0.48 | 1.43 | 3.03 | 6.78 | 7.07 |
Edelweiss Liquid Fund - Retail Plan - Growth | NA | 8130.21 | 0.48 | 1.43 | 3.02 | 6.75 | 6.94 |
Aditya Birla Sun Life Liquid Fund - Retail - Growth | 3 | 49803.08 | 0.47 | 1.41 | 2.99 | 6.73 | 7.01 |
Aditya Birla Sun Life Liquid Fund - INSTITUTIONAL - Growth | 3 | 49803.08 | 0.47 | 1.41 | 2.99 | 6.73 | 7.01 |
HSBC Liquid Fund - Growth | 2 | 14759.34 | 0.47 | 1.40 | 2.99 | 6.73 | 6.98 |
HSBC Liquid Fund - Regular Plan - Growth (Adjusted NAV) | NA | 14759.34 | 0.47 | 1.40 | 2.99 | 6.73 | 7.00 |
Out of 5 mutual fund schemes offered by this AMC, 2 is/are ranked 3 * , and 3 schemes are not ranked. See more about AMC
Scheme Name |
Crisil Rank |
Asset Size (Cr) |
1M |
3M |
6M |
1Y |
3Y |
---|---|---|---|---|---|---|---|
Nippon India Liquid Fund - Retail Plan - Growth | 3 | 27071.82 | 0.42 | 1.24 | 2.67 | 6.07 | 6.34 |
Nippon India Low Duration Fund - Retail - Growth | 3 | 9917.09 | 0.60 | 1.41 | 3.35 | 7.32 | 7.05 |
Nippon India Gilt Fund - Institutional - Growth | NA | 1905.53 | 1.07 | 0.02 | 0.08 | 4.81 | 7.13 |
Nippon India Credit Risk Fund - Institutional - Growth | NA | 983.29 | 0.87 | 1.74 | 4.39 | 9.40 | 8.56 |
Nippon India Interval Fund - Annual - Series 1 - Growth | NA | 3.01 | 0.54 | 2.12 | 3.62 | 7.26 | 7.20 |